Vanguard Small-Cap Index Fund
as of:
Stock Holdings

1414 Holdings
1-50 of 1414 |   Next>

Holding Shares Market Value
Targa Resources Corp.5,680,070$647,868,784
Axon Enterprise Inc.1,812,069$568,373,563
Builders FirstSource Inc.3,103,756$567,428,672
Deckers Outdoor Corp.653,313$534,717,091
PTC Inc.2,890,963$512,972,475
Entegris Inc.3,827,663$508,772,966
Booz Allen Hamilton Holding Corp. Class A3,302,107$487,622,141
Carlisle Cos. Inc.1,215,119$471,769,952
Williams-Sonoma Inc.1,632,520$468,174,086
First Citizens BancShares Inc./NC Class A275,153$464,117,074
Atmos Energy Corp.3,837,972$452,496,899
DraftKings Inc.10,849,559$450,907,672
Vertiv Holdings Co. Class A4,615,914$429,280,002
EMCOR Group Inc.1,197,127$427,577,851
IDEX Corp.1,924,758$424,332,149
NRG Energy Inc.5,745,689$417,539,220
Reliance Steel & Aluminum Co.1,457,496$414,978,261
MicroStrategy Inc. Class A381,878$406,711,526
Watsco Inc.861,871$385,876,884
Pure Storage Inc. Class A7,640,056$385,058,822
Lennox International Inc.814,929$377,654,397
Nutanix Inc.6,176,679$374,924,415
Owens Corning2,214,064$372,427,705
Bunge Global SA3,649,897$371,413,519
Jabil Inc.3,083,866$361,922,514
Ovintiv Inc.6,945,203$356,427,818
Liberty Media Corp-Liberty Formula One5,028,859$351,869,264
RPM International Inc.3,279,195$350,578,737
Neurocrine Biosciences Inc.2,532,654$348,341,231
Vistra Energy Corp.4,549,571$345,039,465
Graco Inc.4,279,073$343,181,655
Nordson Corp.1,309,660$338,141,115
Pentair plc4,207,866$332,800,122
RB Global Inc.4,645,822$332,547,939
TopBuild Corp.808,676$327,246,917
Dynatrace Inc.7,157,071$324,286,887
Manhattan Associates Inc.1,566,866$322,868,408
AECOM3,461,173$319,673,938
Lincoln Electric Holdings Inc.1,455,625$319,553,356
Kimco Realty Corp.17,095,464$318,488,494
Toll Brothers Inc.2,653,757$316,088,996
Celsius Holdings Inc.4,422,571$315,196,635
Westrock Co.6,540,554$313,684,970
Equitable Holdings Inc.8,495,990$313,586,991
Reinsurance Group of America Inc. Class A1,669,838$312,243,008
Advanced Drainage Systems Inc.1,975,388$310,135,916
Shockwave Medical Inc.939,133$310,092,325
nVent Electric plc4,201,003$302,766,286
Casey's General Stores Inc.944,432$301,821,579
XPO Logistics Inc.2,807,386$301,681,700
1414 Holdings
1-50 of 1414 |   Next>

© 1995–2024  The Vanguard Group, Inc. All rights reserved. Vanguard Marketing Corporation, Distributor of the Vanguard Funds. Your use of this site signifies that you accept our terms & conditions of use.  |  Manage cookies
Security  |  Prospectuses